Conor Mullan is Clark Capital Management’s General Counsel and Chief Compliance Officer. Prior to joining Clark Capital, Conor was an attorney at the law firm of Wiggin and Dana LLP and a member of the firm’s Investment Adviser and Broker-Dealer Regulation practice group and the Investment Management practice group. Conor is a member of the Philadelphia Bar Association, the Securities Regulation Committee of the Philadelphia Bar Association, the Asian Pacific American Bar Association of Pennsylvania, and the National Society of Compliance Professionals (Adviser Committee). A graduate of Widener University School of Law, Conor received his bachelor’s degree from the University of Delaware.